· 方法论

提出地缘冲突极端情景下的末日ETF配置组合及各自逻辑。

涉及标的:

中文翻译

Serenity末日ETF: 25% | $FAZ 25% | $GUSH 20% | $LCID 做空 10% | $SQQQ 10% | $UVIX 10% | $NVDA 看跌期权 逻辑: $FAZ / 3倍做空金融股 - 私人市场流动性(Private Market liquidity)押注,中东资本如果所有油田被炸毁将撤离私人市场。 $GUSH / 2倍做多美国油气 - 全球原油价格可能飙升,美国生产商赚取创纪录利润。 $SQQQ / 3倍做空纳斯达克 - 谷歌、亚马逊、苹果、微软被迫抛售,如果流动性被抽走的话。 $LCID 做空 / 沙特阿拉伯公共投资基金(Public Investment Fund)持有60%股份。如果沙特遭受流动性冲击(Private Market liquidity shock),Lucid也就完了。 $UVIX / 2倍做多波动率 - 如果发生黑天鹅事件,波动率就会上升。 $NVDA 看跌期权 - 作为$SPY最大权重股最后的防线。如果资本支出被削减,指数下跌时英伟达会跌得最惨。 只有在美国向伊朗派遣地面部队且伊朗炸毁周边一切的情况下,我才会看到这种情景。 让我们祈祷发生的是塔可星期二吧。

英文原文

The Serenity Doomsday ETF: 25% | $FAZ 25% | $GUSH 20%| $LCID Short 10% | $SQQQ 10% $UVIX 10% | $NVDA Puts Rationale: $FAZ / 3x short financial - Private Market liquidity play on Middle Eastern capital abandoning private markets if all their oil fields get blown apart. $GUSH / 2x Long US OIl and Gas - Global crude prices that will likely skyrocket, and American producers reap record windfall in profits. $SQQQ / 3x short Nasdaq - Google, Amazon, Apple, Microsoft forced selling if liquidity gets pulled. $LCID Short / 60% owned by Saudi Arabia Public Investment Fund. If the Saudis suffer from liquidity shock, there goes Lucid. $UVIX/ 2x long volatility - If there's black swan events, volatility goes up. $NVDA Puts - Last bastion for the $SPY as largest weighting. If capex gets pulled, index sells off will Nvidia go down the hardest. I only see this scenario if US sends ground troops to Iran and Iran blows everything around it up. Let's pray for Taco Tuesday.

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